Prepare monthly / quarterly risk regulatory reports pertaining to WCR India regulatory landscape for submission to the RBI
Reporting can cover a variety of areas including but not limited: Credit Risk Exposure, Portfolio Concentrations and Limit Exceptions.
Regional / Country Rapid Portfolio Reviews and Management Business Reviews
Business analysis support for solutions and platforms delivering risk data and adhoc regulatory asks
Work closely with industry and regional senior portfolio managers.
Utilize Tableau to design visualizations, dashboards and data flows
Participate in initiatives to develop effective controls for data, data quality metrics and governance
Collaborate with risk and SME reporting leads on initiatives, key reports, and presentations.
Assists in centrally acquiring all data related to Risk management and regulatory reporting processes while ensuring data quality, completeness and consistency across the organization.
Work on critical Risk-wide initiatives such as Tableau implementation, end-user computing reduction, and process/data controls.
Designs, implement, and monitors key performance indicators and metrics
Leverages technical expertise to execute quantitative analyses that translates into actionable insights for management.
Ideally, you will have the following qualifications:
5+ years of experience in financial services or related industry viz preparation of reports some of which are CRILC, Credit Bureau reporting, SMA
Strongquantitative/analyticalskills including understanding of core risk management / Banking Concepts. Work experience in banking risk management and Risk Analytics will be an added advantage
Experience building dashboards and reports in BI tools such as Tableau, Power BI, or other packages
Understanding of programming, technology systems, risk data, and automation will be preferred
Proficiency with MS Office Suite (Word, Excel, PowerPoint) including VBA
Strong written and verbal communication skills and organizational skills
Ability to work independently and multi-task effectively in a high volume and complex environment with changing priorities
Education:
Professional degree equivalent to CA / MBA Finance or Post Graduates from premier universities.
Bachelor / Master’s degree in Finance, engineering, computer science or other analytically intensive discipline will be an advantage.